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DSTL implements a strategy mixing value and quality styles, mostly in large cap stocks. 59% of asset value is in 3 sectors: healthcare, technology and industrials. It is better than the S&P 500 in valuation, quality metrics and past performance. For further details see: ...
Hardware has the best value and quality scores of the sector. Telecommunication is overpriced by more than 40% relative to 11-year averages. Fast facts on FTEC. 8 technology stocks cheaper than their peers in April. For further details see: FTEC: Technology Dashboard...
VOO and VUG are low expense Vanguard ETFs based on the S&P 500 Index and CRSP Growth Index respectively. CRSP's Methodology defining Growth sums historical and short and long term future earnings growth, sales growth, ROA, and Capex as a percentage of assets - nothing on price. ...
Qualcomm stock has been battered recently as China's COVID headwind reared its head once again. Investors are concerned about the impact on Qualcomm's smartphone revenue with its Chinese smartphone customers. However, we believe these headwinds to be transitory and not structural....
The war in Ukraine continues to dominate market movements. I am not selling anything and predominantly focus on adding dividend income via select purchases. The combination of soaring inflation and geopolitical uncertainty has rattled markets but despite some dramatic movements, s...
Semiconductors are without question the "new oil", but that does not mean they will produce positive returns for investors in the future. Historically, semiconductor stock performance is more closely tied to macro conditions (for example, S&P 500 earnings and commodity inflation) ...
This is the ninth annual review of DivGro, my portfolio of dividend growth stocks. I look at DivGro's performance as measured by dividend income, dividend increases, annualized returns, and rate of return. I also look at some highlights of the past year and share my outlook for th...
Philippe Laffont’s 13F portfolio value decreased from $24.58B to $22.55B this quarter. They increased Tesla and Microsoft while reducing Moderna, Snowflake, DoorDash, Marqeta, and Twilio. They also added Pfizer, Visa, and Applied Materials while dropping UiPath. For f...
Micron reported a robust FQ2'22 earnings card, with solid guidance. We believe that the company is a high FCF yield defensive semiconductor play. However, investors need to note a key caveat when valuing MU stock. Nonetheless, we rate MU stock a Buy, with a price target of $100. ...
SCHD has been the best ETF for income investors over the past decade providing both competitive dividend yields and strong price appreciation. The question is, can that excellent performance continue? Investors need to understand exactly how SCHD chooses and maintains its holdings, as...
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